Description
Course Name: Diploma in Portfolio Management
Course Id: DPM/Q1001.
Education Qualification: 12th Pass.
Duration: 370 Hrs (Equivalent to One Year).
How You will Get Diploma Certificate:
Step 1- Select your Course for Certification.
Step 2- Click on Enroll Now.
Step 3- Proceed to Enroll Now.
Step 4- Fill Your Billing Details and Proceed to Pay.
Step 5- You Will be Redirected to Payment Gateway, Pay Course and Exam Fee by Following Options.
Card(Debit/Credit), Wallet, Paytm, Net banking, UPI and Google pay.
Step 6- After Payment You will get Study Material Login id and Password on your email id.
Step 7- After Completion of Course Study give Online Examination.
Step 8- After Online Examination you will get Diploma Certificate soft copy(Scan Copy) and Hard Copy(Original With Seal and Sign).
Step 9- After Certification you will receive Prospect Job Opportunities as per your Interest Area.
Online Examination Detail:
- Duration- 120 minutes.
- No. of Questions- 60. (Multiple Choice Questions).
- 10 Questions from each module, each carry 10 marks.
- Maximum Marks- 600, Passing Marks- 40%.
- There is no negative marking in this module.
How Students will be Graded: | ||
S.No. | Marks | Grade |
1 | 91-100 | O (Outstanding) |
2 | 81-90 | A+ (Excellent) |
3 | 71-80 | A (Very Good) |
4 | 61-70 | B (Good) |
5 | 51-60 | C (Average) |
6 | 41-50 | P (Pass) |
7 | 0-40 | F (Fail) |
Benefits of Certification:
- Government Authorized Assessment Agency Certification.
- Certificate Valid for Lifetime.
- Lifetime Verification of Certificate.
- Free Job Assistance as per your Interest Area.
Syllabus
Introduction to Portfolio Management: Introduction, characteristics of investment, non-negotiable securities, financial market, role of primary market, functions of stock exchanges, economy-industry-company analysis framework, history of technical analysis, technical analysis and fundamental analysis, risk and return analysis.
Portfolio Analysis: Elements of investment, portfolio analysis, portfolio choice, portfolio performance evaluation, fundamental analysis and valuation, technical analysis, market efficiency, market model, capital market theory, arbitrage pricing theory, assignments.
Risk & Return: Basic forms of business, primary market and secondary market functions, fundamental analysis and technical analysis, portfolio investment and risk, mutual fund, money market, the basic trades of traded stock options, hedge fund, dow theory, day trading.
Financial management: Introduction to financial management, sources of long-term finance, cost of capital, capital structure theories, working capital management-i, working capital management-ii, investments and fund, investment analysis, financial planning-i, financial planning-ii.
Capital Markets: Introduction, capital market-concept, types of capital market, stock exchange, capital market instrument, kinds of ownership securities or shares, creditor ship securities, types of speculator, listing of securities, conditions for listing.
Investment Management: Introduction, valuation of securities, mutual funds and security market analysis, investment and taxation.
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